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建信睿怡纯债C基金净值查询(012413)

今天最新净值 1.1968 0.0002 0.02% 2026-09-16
盘中实时估值(仅供参考) % 2026-03-24 15:39:58
  • 累计净值:1.3438
  • 成立日期:
  • 基金类型:债券型-混合一级
  • 成立份额:
  • 最近份额:0.4709亿
  • 最近资产:0.53亿
  • 基金公司:
  • 基金经理:吴轶
近一季建信睿怡纯债C基金净值查询
基金历史净值按日期查询: -
近一季,建信睿怡纯债C(012413)基金累计收益率0.71%
净值日期 基金代码 基金名称 最新单位净值 最新累计净值 上期单位净值 上期累计净值 当日增长值 当日增长率
2026-09-16 012413 建信睿怡纯债C 1.1968 1.3438 1.1966 1.3436 0.0002 0.02%
2026-09-15 012413 建信睿怡纯债C 1.1966 1.3436 1.1965 1.3435 0.0001 0.01%
2026-09-14 012413 建信睿怡纯债C 1.1965 1.3435 1.1962 1.3432 0.0003 0.03%
2026-09-11 012413 建信睿怡纯债C 1.1962 1.3432 1.1961 1.3431 0.0001 0.01%
2026-09-10 012413 建信睿怡纯债C 1.1961 1.3431 1.1959 1.3429 0.0002 0.02%
2026-09-09 012413 建信睿怡纯债C 1.1959 1.3429 1.1957 1.3427 0.0002 0.02%
2026-09-08 012413 建信睿怡纯债C 1.1957 1.3427 1.1955 1.3425 0.0002 0.02%
2026-09-07 012413 建信睿怡纯债C 1.1955 1.3425 1.1953 1.3423 0.0002 0.02%
2026-09-04 012413 建信睿怡纯债C 1.1953 1.3423 1.1951 1.3421 0.0002 0.02%
2026-09-03 012413 建信睿怡纯债C 1.1951 1.3421 1.1949 1.3419 0.0002 0.02%
2026-09-02 012413 建信睿怡纯债C 1.1949 1.3419 1.1948 1.3418 0.0001 0.01%
2026-09-01 012413 建信睿怡纯债C 1.1948 1.3418 1.1946 1.3416 0.0002 0.02%
2026-08-31 012413 建信睿怡纯债C 1.1946 1.3416 1.1946 1.3416 0.0000 0.00%
2026-08-28 012413 建信睿怡纯债C 1.1946 1.3416 1.1946 1.3416 0.0000 0.00%
2026-08-27 012413 建信睿怡纯债C 1.1946 1.3416 1.1947 1.3417 -0.0001 -0.01%
2026-08-26 012413 建信睿怡纯债C 1.1947 1.3417 1.1946 1.3416 0.0001 0.01%
2026-08-25 012413 建信睿怡纯债C 1.1946 1.3416 1.1945 1.3415 0.0001 0.01%
2026-08-24 012413 建信睿怡纯债C 1.1945 1.3415 1.1943 1.3413 0.0002 0.02%
2026-08-21 012413 建信睿怡纯债C 1.1943 1.3413 1.1942 1.3412 0.0001 0.01%
2026-08-20 012413 建信睿怡纯债C 1.1942 1.3412 1.1940 1.3410 0.0002 0.02%
2026-08-19 012413 建信睿怡纯债C 1.1940 1.3410 1.1939 1.3409 0.0001 0.01%
2026-08-18 012413 建信睿怡纯债C 1.1939 1.3409 1.1936 1.3406 0.0003 0.03%
2026-08-17 012413 建信睿怡纯债C 1.1936 1.3406 1.1932 1.3402 0.0004 0.03%
2026-08-14 012413 建信睿怡纯债C 1.1932 1.3402 1.1931 1.3401 0.0001 0.01%
2026-08-13 012413 建信睿怡纯债C 1.1931 1.3401 1.1930 1.3400 0.0001 0.01%
2026-08-12 012413 建信睿怡纯债C 1.1930 1.3400 1.1928 1.3398 0.0002 0.02%
2026-08-11 012413 建信睿怡纯债C 1.1928 1.3398 1.1926 1.3396 0.0002 0.02%
2026-08-10 012413 建信睿怡纯债C 1.1926 1.3396 1.1922 1.3392 0.0004 0.03%
2026-08-07 012413 建信睿怡纯债C 1.1922 1.3392 1.1921 1.3391 0.0001 0.01%
2026-08-06 012413 建信睿怡纯债C 1.1921 1.3391 1.1922 1.3392 -0.0001 -0.01%
2026-08-05 012413 建信睿怡纯债C 1.1922 1.3392 1.1921 1.3391 0.0001 0.01%
2026-08-04 012413 建信睿怡纯债C 1.1921 1.3391 1.1920 1.3390 0.0001 0.01%
2026-08-03 012413 建信睿怡纯债C 1.1920 1.3390 1.1917 1.3387 0.0003 0.03%
2026-07-31 012413 建信睿怡纯债C 1.1917 1.3387 1.1917 1.3387 0.0000 0.00%
2026-07-30 012413 建信睿怡纯债C 1.1917 1.3387 1.1916 1.3386 0.0001 0.01%
2026-07-29 012413 建信睿怡纯债C 1.1916 1.3386 1.1915 1.3385 0.0001 0.01%
2026-07-28 012413 建信睿怡纯债C 1.1915 1.3385 1.1917 1.3387 -0.0002 -0.02%
2026-07-27 012413 建信睿怡纯债C 1.1917 1.3387 1.1916 1.3386 0.0001 0.01%
2026-07-24 012413 建信睿怡纯债C 1.1916 1.3386 1.1915 1.3385 0.0001 0.01%
2026-07-23 012413 建信睿怡纯债C 1.1915 1.3385 1.1914 1.3384 0.0001 0.01%
2026-07-22 012413 建信睿怡纯债C 1.1914 1.3384 1.1910 1.3380 0.0004 0.03%
2026-07-21 012413 建信睿怡纯债C 1.1910 1.3380 1.1908 1.3378 0.0002 0.02%
2026-07-20 012413 建信睿怡纯债C 1.1908 1.3378 1.1905 1.3375 0.0003 0.03%
2026-07-17 012413 建信睿怡纯债C 1.1905 1.3375 1.1904 1.3374 0.0001 0.01%
2026-07-16 012413 建信睿怡纯债C 1.1904 1.3374 1.1905 1.3375 -0.0001 -0.01%
2026-07-15 012413 建信睿怡纯债C 1.1905 1.3375 1.1904 1.3374 0.0001 0.01%
2026-07-14 012413 建信睿怡纯债C 1.1904 1.3374 1.1903 1.3373 0.0001 0.01%
2026-07-13 012413 建信睿怡纯债C 1.1903 1.3373 1.1900 1.3370 0.0003 0.03%
2026-07-10 012413 建信睿怡纯债C 1.1900 1.3370 1.1899 1.3369 0.0001 0.01%
2026-07-09 012413 建信睿怡纯债C 1.1899 1.3369 1.1899 1.3369 0.0000 0.00%
2026-07-08 012413 建信睿怡纯债C 1.1899 1.3369 1.1898 1.3368 0.0001 0.01%
2026-07-07 012413 建信睿怡纯债C 1.1898 1.3368 1.1897 1.3367 0.0001 0.01%
2026-07-06 012413 建信睿怡纯债C 1.1897 1.3367 1.1895 1.3365 0.0002 0.02%
2026-07-03 012413 建信睿怡纯债C 1.1895 1.3365 1.1895 1.3365 0.0000 0.00%
2026-07-02 012413 建信睿怡纯债C 1.1895 1.3365 1.1895 1.3365 0.0000 0.00%
2026-07-01 012413 建信睿怡纯债C 1.1895 1.3365 1.1898 1.3368 -0.0003 -0.03%
2026-06-30 012413 建信睿怡纯债C 1.1898 1.3368 1.1898 1.3368 0.0000 0.00%
2026-06-29 012413 建信睿怡纯债C 1.1898 1.3368 1.1895 1.3365 0.0003 0.03%
2026-06-26 012413 建信睿怡纯债C 1.1895 1.3365 1.1895 1.3365 0.0000 0.00%
2026-06-25 012413 建信睿怡纯债C 1.1895 1.3365 1.1891 1.3361 0.0004 0.03%
2026-06-24 012413 建信睿怡纯债C 1.1891 1.3361 1.1891 1.3361 0.0000 0.00%
2026-06-23 012413 建信睿怡纯债C 1.1891 1.3361 1.1892 1.3362 -0.0001 -0.01%
2026-06-22 012413 建信睿怡纯债C 1.1892 1.3362 1.1890 1.3360 0.0002 0.02%
2026-06-18 012413 建信睿怡纯债C 1.1890 1.3360 1.1887 1.3357 0.0003 0.03%
债券型-混合一级基金涨幅榜
基金名称 单位净值 日增长率
民生鑫享债券A 1.2154 0.26%
民生鑫享债券C 1.1760 0.26%
民生加银鑫享债券E 1.2140 0.26%
民生鑫享债券D 1.0276 0.25%
长城积极增利债券D 1.3618 0.12%
长城积极A 1.3617 0.12%
长城积极C 1.5847 0.12%
大成债券A\/B 1.1042 0.09%
大成债券C 1.1207 0.09%
民生鑫元纯债A 1.0357 0.08%